Treasury Manager
Listed on 2026-08-28
-
Finance & Banking
Corporate Finance, Banking & Finance, Financial Manager, Risk Manager/Analyst
An established international organisation is seeking to appoint an experienced Treasury Manager to join its treasury function on a 12 month fixed term contract.
This is an excellent opportunity to become part of a collaborative and well established treasury team within a global business. Working closely with senior treasury leadership, you'll support day to day treasury operations while also contributing to a variety of treasury transformation and strategic improvement projects, depending on your experience and interests.
The role offers a strong blend of operational responsibility and project exposure, making it ideal for a treasury professional looking to broaden their experience and make a meaningful impact within a complex international environment.
The RoleReporting into the Treasury leadership team, key responsibilities include:
- Managing day-to-day treasury operations across multiple business entities.
- Overseeing daily cash positioning, cash forecasting and liquidity management.
- Managing banking relationships and online banking platforms.
- Supporting payment processes while maintaining robust treasury controls.
- Assisting with cash management and working capital optimisation initiatives.
- Producing treasury reporting and analysis.
- Building effective relationships with finance teams across the business.
- Identifying opportunities to improve treasury processes, controls and efficiencies.
- Supporting wider treasury projects, including banking, cash management and systems initiatives.
- Providing additional support during a period of organisational change and business transformation.
You'll be joining a mature international treasury function with:
- Responsibility for treasury operations across multiple regions and business units.
- Close collaboration with finance and treasury colleagues located across several international locations.
- A diverse banking network supporting international operations.
- Ongoing investment in treasury technology, banking infrastructure and process improvement.
We are interested in speaking with treasury professionals from a variety of backgrounds and experience levels.
You’ll ideally have:
- Previous experience within a corporate treasury environment.
- Strong knowledge of cash management, liquidity management and treasury operations.
- Experience managing banking relationships and payment processes.
- Excellent communication and stakeholder management skills.
- Experience with Treasury Management Systems (TMS), ERP platforms or treasury related projects would be advantageous.
- Competitive salary depending on experience.
- A collaborative, supportive and international working environment.
- The opportunity to contribute to high profile treasury transformation initiatives.
- Exposure to strategic banking, cash management and treasury improvement projects.
- Excellent scope to develop professionally while helping shape the future direction of the treasury function.
To Search, View & Apply for jobs on this site that accept applications from your location or country, tap here to make a Search: